Compute the median of the Weibull distribution with parameters p and q.
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Use numeric parameters.
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Generate a random sample of size 100000 drawn from the above distribution and compute the sample median.
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Compute the standard error of the sample median for the normal distribution with parameters 5 and 2.
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Compute the median of a sum of two random variables.
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Verify this using simulation.
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Compute the median of a weighted data set.
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Consider the following Matrix data set.
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We compute the median of each of the columns.